For a complete compilation of Investment Adviser Firms currently registered with the SEC and states securities regulators, download the Investment Adviser Data.

You can search for an Investment Adviser firm on this website and view the registration or reporting form ("Form ADV") that the adviser filed. This website will also search Bag Clutch Prom Party KAXIDY Evening Women's Rose Bag red Floral Wedding Bridal Fashion Satin FINRA's BrokerCheck systemand indicate whether an entity is a Brokerage firm. Investment advisers file Form ADV to register with the SEC and/or the states. Some advisers that do not have to register with the SEC or the states ("Exempt Reporting Advisers") must nonetheless complete some of the questions in Form ADV for purposes of reporting to the SEC and/or the states. Form ADV contains information about an investment adviser and its business operations. Additionally, it contains disclosure about certain disciplinary events involving the adviser and its key personnel.

You can also search for an individual investment adviser representative and view that individual's professional background and conduct, including current registrations, employment history, and disclosures about certain disciplinary events involving the individual. The information about investment adviser representatives that appears on this website is collected from individual Investment Adviser Representatives, Investment Adviser firm(s), and/or securities regulator(s) as part of the securities industry's registration and licensing process. Individuals that are Registered Representatives of a Brokerage firm that are listed in FINRA's BrokerCheck systemWomen Body Wine Cute Bags Synthetic for lock Metal size Small OYIGE Cross Red Shoulder bags wZqIxpA will also appear in search results.

Are you having technical difficulties using the Investment Adviser Public Disclosure site?

The U.S. Securities and Exchange Commission (SEC) sponsors this website. This website, however, provides information about both SEC-registered and state-registered investment adviser (IA) firms, certain Investment Adviser firms that are exempt from registration with the SEC or states, state-registered investment adviser representatives, and links to BrokerCheck information on Brokerage firms or Registered Representatives of Brokerage firms.

Investment advisers generally are regulated by the SEC or state securities authorities. The SEC typically regulates investment advisers that have assets under management in excess of $100,000,000. Investment advisers that do not meet this threshold generally are regulated by the states. The SEC registers Investment Adviser firms but does not separately register individual representatives of Investment Adviser firms. The states register Investment Adviser firms, and many separately register individual investment adviser representatives. Both the SEC and the states may require certain investment advisers to hedge funds, venture capital funds, and other private funds that are not required to be registered (Exempt Reporting Advisers) to instead file reports with them.

In 1996 Congress amended the Investment Advisers Act of 1940 to require that the SEC establish a readily accessible electronic process to respond to public inquiries about investment advisers and their disciplinary information. The SEC created this website to satisfy Congress' mandate.

In addition to providing information about investment adviser representatives currently registered with a state securities regulator, IAPD also includes individuals who:

have been registered with a state securities regulator within the last ten years, or

have ever been the subject of a final regulatory event, (1) convicted of or plead guilty or no contest to a crime, (2) have been the subject of a civil injunction or civil court finding involving a violation of any investment-related statute(s) or regulation(s), or (3) have been a respondent or defendant or the subject of an arbitration or civil litigation which resulted in an award, decision, or judgment for a customer that has been reported on a registration form.

What is on this Website?

On this website, you can (1) search for an Investment Adviser firm, (2) view the adviser's current Form ADV, (3) check the adviser's registration or reporting status, (4) search for an investment adviser representative, (5) view the representative's professional background and conduct, (6) check the representative's registration status, (7) link to a state regulator's website, and (8) access links to the FINRA BrokerCheck Website for information about Brokerage firms and Registered Representatives of Brokerage firms that meet search criteria entered.

This website contains information about investment advisers that currently are registered with the SEC or a state or file reports as an Exempt Reporting Adviser. This website also contains information about investment advisers that were registered or filed reports in the previous ten years but are no longer registered or reporting advisers. You should click on "Registration/Reporting Status" to check whether a firm currently is registered as an investment adviser or reporting as an Exempt Reporting Adviser.

1) are exempt from registration but are not required to file reports as Exempt Reporting Advisers; or

2) have filed unapproved applications for registration with the SEC or a state.

What is Form ADV?

Investment advisers file Form ADV to register with the SEC and/or the states. Some advisers that are exempt from registration (Exempt Reporting Advisers) also complete a portion of the questions in Form ADV for purposes of reporting to the SEC and/or the states. All investment advisers must periodically update the information in their filings. Form ADV contains information about an investment adviser and its business operations. Form ADV also contains disclosure about certain disciplinary events involving the adviser and its key personnel

Privacy Policy

This site, www.AdviserInfo.sec.gov, is provided as a public service by the Securities and Exchange Commission (SEC). This is an official United States Government System.

By using this site, you are agreeing to security monitoring and auditing. For security purposes, and to ensure that the public service remains available to users, this government computer system employs programs to monitor network traffic to identify unauthorized attempts to upload or change information or to otherwise cause damage, including attempts to deny service to users.

Information presented on www.AdviserInfo.sec.gov is considered public information and may be distributed or copied. Please do not use the SEC seal or any of the other logos or artwork from this site. In addition, please be advised that the IARD name is a registered service mark.

For site management, we may collect and store information for statistical purposes. This government computer system uses software programs to create summary statistics, which are used for such purposes as assessing what information is of most and least interest, and identifying system performance or problem areas.

This website has links to other agencies and organizations. When you go to another site through the links, you are no longer on our site and are subject to the terms and conditions of the new sites.

Unauthorized attempts to upload information and/or change information on any portion of this site are strictly prohibited and are subject to prosecution under the Computer Fraud and Abuse Act of 1986 and the National Information and Infrastructure Protection Act of 1996 (see Title 18 U.S.C. §§ 1001 and 1030).

At the time that information is collected from advisers on Form ADV, a Paperwork Reduction Act control number and a Privacy Act notice are displayed on the form. These items are not displayed on this website.